To review the Typical Balance (debit or credit) for an account go to the Export Budget to GP screen:
1) Select the CompanyDB and BudgetID you wish to review; and
2) Click on Search.
3) All accounts will display including the nature of the Typical Balance.
If a Typical Balance's nature is incorrect, it will need to be corrected in Great Plains Accounting (ERP) software.
Open the Account Maintenance window. (Financial >> Cards >> Financial >> Account) and change the Typical Balance as needed per the below screen.
Once the sign is correct in the ERP, go to Synchronize Chart of Accounts:
1) Select the CompanyDB;
2) Click the "Sync Review" button; and then
3) Click on the "Update Account Attributes Only' button.
Then go back to the Export Budget to ERP screen to review the changes for appropriateness.
Related Article:
How Do I Update an Account that Reports as a Negative But Has a Debit Balance in GP or Visa Versa?
How to Convert Revenue Display from Negative to Positive in Dynamic Budgets?